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20 03 2017 agenda and reports budget and finance committee

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. finance charges for loan borrowings being lower than anticipated due to continued low interest rates. It is anticipated that this may result in approximately $20k savings if rates remain low

16 11 2020 agenda and reports budget and finance committeee

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of Salisbury Rating Matters 6.6.1 Discretionary Rate Rebate Application for Calvary Central Districts Hospital Cr G Reynolds declared an actual conflict of interest on the basis of having a family member

Salisbury Water Pricing Policy Statement

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rising cost of living pressures impacting the community. Consumption charges for 2023/24 have increased by 3% in line with regulatory pricing guidelines. Supply charges for 2023/24 remain unchanged

2022 23 Salisbury Water Pricing Policy Statement

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% in line with regulatory pricing guidelines. Supply charges for 2022/23 remain unchanged. This increase is well below current inflationary rates. Other Ancillary & Related Retail Services fees have

Treasury Policy

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as required to support approved outlays; • Interest rate and other risks (e.g. liquidity and investment credit risks) are acknowledged and responsibly managed; • The net interest costs associated

14062022 Minutes Finance and Corporate Services Committee

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: 1. Notes the report. CARRIED For Decision 2.1.1 Globe Derby Community Club 2022/23 Separate Rate Moved Cr L Braun Seconded Cr B Brug That Council: 1. Approves in principle, the proposed separate rate

2016 minutes council meeting 3258153

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to item 6.4.1 Draft Fees and Charges 2016/17 Cr R Cook declared a material conflict of interest due to collecting fees for the boat ramp on behalf of Council. Cr R Cook left the meeting at 06:33 pm. Cr

14 12 2020 agenda and reports finance and corporate services committee

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and in response to COVID-19, a $2,400,000 Operating Surplus Initiative (OSI) fund was recognised to offset the impact of the 0% rate increased resolved for the 2020/21 financial year. 2. Ongoing savings

18 03 2019 minutes budget and finance committee

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Page 9 Budget and Finance Committee Minutes - 18 March 2019 Minutes - Budget and Finance Committee Meeting - 18 March 2019 Rating Matters 6.6.1 Discretionary Rate Rebate Application - Commercial Shops

Business Transformation Future Fund Policy

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through depreciation, and instead have a one-off impact on the budgeted operating surplus in the year funded and potential to impact on rate increases. To be able to continue to transform how the City

16102023 Agenda and Reports Finance and Corporate Services Committee

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/ Gains Interest Expense 1,050,100 Other Rates revenue budget 242,500 variances Unspent 2022/23 BT Funds • PR26698 Employee Life 110,000 Cycle Management Total 1,402,600 Page 6 Finance and Corporate

20032023 Minutes Finance and Corporate Services Committee

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UNANIMOUSLY For Decision 2.1.1 Salisbury Memorial Park Budget 2023/24 Report Moved Cr C Buchanan Seconded Cr S McKell That Council: 1. Approves the Salisbury Memorial Park 2023/24 Budget and fees and charges

19 10 2020 agenda and reports budget and finance committee

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of a private hospital who charges fees for service, even if at a reduced rate. This could lead to a number of our ratepayers being further pressured with their own financials and further supports

City of Salisbury Building Upgrade Finance Policy

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to the Building Owner to finance those upgrade works; and Council levies a charge on relevant land (a building upgrade charge) for the purpose of recouping the money advanced by the finance provider

Building Upgrade Agreements Policy

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upgrade works; and • Council levies a charge on relevant land (a building upgrade charge) for the purpose of recouping the money advanced by the finance provider for the upgrade works (and any interest

24 05 2021 agenda and reports council meeting

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Future Reports for the Finance and Corporate Services Committee 2.1.1 Draft Fees and Charges 2021/22 **Further Information Report: 2.1.1FI Draft Fees and Charges 2021/22 Page 67 2.1.2 Council Finance

22 02 2021 minutes council meeting

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and Infrastructure Act 2016, new fees and charges under the new planning act including a pensioner and concession rate, to be considered as part of the forthcoming budget deliberations. City of Salisbury

2016 agenda and reports council meeting 3253126

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QUESTION TIME DEPUTATIONS DEP1 Mr Lindsay Virgo of the St Kilda & Surrounds Development & Tourism Association Inc will be in attendance as a deputation in relation to item 6.4.1 Draft Fees and Charges 2016

Annual Plan 2021-2022

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INCOME Rates Revenues 106,336 110,444 114,641 123,400 147,270 Statutory Charges 3,003 3,054 3,121 3,257 3,596 User Charges 5,358 5,449 5,569 5,811 6,416 Grants, Subsidies & Contributions 13,435 13,860

09 12 2019 agenda and reports resources and governance committee

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the building owner. The debt sits as a charge against the property. 1.4 The primary advantage to the building owner is that funds may be sourced at more competitive rates due to the security of the loan